Reliance Nippon Life Asset Management informs about record date

06 Nov 2018 Evaluate

Reliance Nippon Life Asset Management has informed that the Company fixed November 05, 2018 as the Record Date for the purpose of Redemption of Mutual Fund.

The above information is a part of company’s filings submitted to BSE

Nippon Life India As Share Price

822.80 -18.85 (-2.24%)
23-Jan-2026 16:59 View Price Chart
Peers
Company Name CMP
ICICI Prud.Asset Man 2776.05
HDFC Asset Mngt. Co 2433.00
Nippon Life India As 822.80
Aditya Birla Sun AMC 780.00
UTI Asset Management 974.85
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